CRADY classifies MSFO as normal risk, with a CRADY Score of 37.2/100. Its 30-day volatility is 17.2%, and dividend stability score is 38.4/100. A high yield alone doesn't raise this score — volatility and irregular payments lower it by design.
MSFO Quick Facts
MSFO Risk Analysis
MSFO Dividend Stability
MSFO has a dividend stability score of 38.4 out of 100, meaning its distribution amount has been quite variable over its recent payment history.
MSFO Advantages and Considerations
- High estimated distribution yield (43.2% annualized).
- Notable recent drawdown (-57.2%).
- Distribution amount has varied significantly between payments.
Who Is MSFO Best For?
Given its normal risk profile, MSFO may be best suited for investors comfortable with moderate volatility in exchange for higher income. This is not personalized investment advice — consider your own risk tolerance and financial goals.
Frequently Asked Questions
CRADY classifies MSFO as normal risk, with a CRADY score of 37.2/100. This reflects recent volatility and dividend stability, not a guarantee of future performance.
MSFO's 30-day volatility is 17.2%, with a recent maximum drawdown of -57.2%.
MSFO has a dividend stability score of 38.4/100, based on how consistent its distribution amount has been across recent payments.
MSFO's recent maximum drawdown is -57.2% — the largest peak-to-trough price decline over the measured period.
The CRADY Score is a 0-100 rating that combines recent price volatility, maximum drawdown, and how consistent an ETF's per-payment dividend amount has been. A high yield alone doesn't raise the score — high volatility or irregular dividends lower it by design.
Covered-call ETFs like MSFO generate income by selling call options against their holdings, which caps upside participation and can mean distributions include return of capital. That income-generation approach is why they typically show higher volatility scores than traditional dividend-paying stocks.
자주 묻는 질문
CRADY는 MSFO를 보통 등급으로 분류하며, CRADY 점수는 37.2/100입니다.
CRADY 점수는 최근 가격 변동성, 최대 낙폭(drawdown), 배당금 지급의 일관성을 종합한 0~100점 지표입니다. 배당 수익률이 높다고 점수가 올라가지 않으며, 변동성이 크거나 배당이 불규칙하면 오히려 낮아집니다.